Job Search and Career Advice Platform

Enable job alerts via email!

(Senior) Finance Manager

Selby Jennings

Singapore

On-site

SGD 120,000 - 160,000

Full time

7 days ago
Be an early applicant

Generate a tailored resume in minutes

Land an interview and earn more. Learn more

Job summary

A global finance corporation in Singapore is seeking a Finance Manager to lead regional consolidation and cash management across subsidiaries in multiple countries. The ideal candidate will have at least 8 years of relevant experience, strong technical expertise in group consolidation, and excellent stakeholder management skills. This role offers significant interaction with global banking partners and compliance with various regulatory frameworks.

Qualifications

  • Minimum 8 years of relevant experience in Singapore.
  • Strong knowledge of IFRS/GAAP and regulatory frameworks.
  • Excellent leadership and stakeholder management skills.

Responsibilities

  • Lead regional consolidation and cash management for subsidiaries.
  • Prepare and review consolidated financial statements.
  • Monitor KPIs and provide strategic insights.

Skills

Group consolidation
Treasury management
Stakeholder management
IFRS/GAAP compliance

Education

CPA or equivalent

Tools

SAP
Job description
Position

Finance Manager – Regional Consolidation & Cash Management

Location

Singapore

Employment Type

Full-time

Reports To

Director or CEO in Japan

About the Company

The regional finance headquarters of a subsidiary of a Tokyo Stock Exchange Prime-listed group, which operates more than 90 entities worldwide. Singapore office serves as the financial hub, managing group consolidation, treasury, and strategic financial planning across multiple regions.

Role Overview

As Finance Manager, you will lead regional consolidation and cash management for subsidiaries in Europe (Poland, Hungary), the US, and Asia (Philippines, India). This is a leadership role that requires strong technical expertise, governance mindset, and the ability to collaborate with Tokyo HQ and global banking partners.

Key Responsibilities
  • Group Consolidation & Reporting
    • Prepare and review consolidated financial statements for multi-country entities.
    • Ensure compliance with IFRS/GAAP, local statutory requirements, and HQ policies.
    • Manage month‑end, quarter‑end, and year‑end closing processes.
  • Treasury & Cash Management
    • Optimize global cash pooling structure and liquidity management.
    • Coordinate intercompany funding and ensure compliance with tax and transfer pricing rules.
    • Liaise with international banks and enhance capital efficiency.
  • Governance & Compliance
    • Ensure adherence to Singapore Companies Act and tax regulations.
    • Oversee statutory audits and implement audit recommendations.
    • Strengthen internal controls to mitigate financial risks.
  • Planning & Strategic Finance
    • Lead budgeting, forecasting, and financial planning for the region.
    • Provide strategic insights to support management decisions.
    • Monitor KPIs and elevate key issues promptly.
Requirements
  • CPA or equivalent qualification strongly preferred.
  • Minimum 8 years of relevant experience in Singapore.
  • Expertise in group consolidation, treasury, and cross‑border funding.
  • Strong knowledge of IFRS/GAAP and regulatory frameworks.
  • Hands‑on experience with ERP systems (SAP/SAC preferred).
  • Excellent leadership and stakeholder management skills.
  • Japanese skills preferred to liaise with Tokyo HQ, but not a must.
Japanese Recruiting Text

シンガポールにてファイナンスマネージャー(リージョナル連結・キャッシュマネジメント)を募集。東証プライム上場企業の子会社、連結会計、資金管理、投資戦略を統括するシンガポール財務本部にて新規増員採用です。欧州、米国、アジアなど複数国の連結決算とキャッシュマネジメントをリード、東京本社や国際銀行と連携しながら、グローバルな財務戦略を推進いただきます。会計士/税理士/CPA資格のある方、シンガポールで一定の財務経験のある方、グループ連結・資金管理・クロスボーダー資金調達に強みのある方、ご応募をお待ちしております。

Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.